HoldingsChannel.com
BRYN MAWR TRUST Co Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 409,634 -937 $54,874
     MSFT409,634-937$54,874
APPLE INC 273,909 +575 $54,212
     AAPL273,909+575$54,212
JOHNSON & JOHNSON 284,101 -4,791 $39,570
     JNJ284,101-4,791$39,570
JPMORGAN 320,528 +671 $35,835
     JPM320,528+671$35,835
ABBOTT LABS 398,172 -11,024 $33,487
     ABT398,172-11,024$33,487
PEPSICO INC 251,822 -2,418 $33,022
     PEP251,822-2,418$33,022
BECTON DICKINSON 128,810 -12,624 $32,461
     BDX128,810-12,624$32,461
SPDR (SPY) 106,077 -2,284 $31,081
     SPY106,077-2,284$31,081
CISCO SYSTEMS INC 561,912 -9,384 $30,754
     CSCO561,912-9,384$30,754
THERMO FISHER SCIENTIFIC INC 102,037 -14,543 $29,966
     TMO102,037-14,543$29,966
MASTERCARD INC A 110,896 +780 $29,335
     MA110,896+780$29,335
HONEYWELL INTL INC 160,265 -622 $27,981
     HON160,265-622$27,981
EXXON MOBIL CORP 352,754 -10,527 $27,031
     XOM352,754-10,527$27,031
VERIZON COMMUNICATIONS INC 464,805 +2,104 $26,555
     VZ464,805+2,104$26,555
ISHARES (IJH) 135,571 -9,968 $26,337
     IJH135,571-9,968$26,337
VISA INC 135,754 +796 $23,560
     V135,754+796$23,560
VANGUARD (VEA) 560,320 -43,740 $23,370
     VEA560,320-43,740$23,370
ALPHABET INC 20,526 +1,496 $22,188
     GOOG20,526+1,496$22,188
HERSHEY CO 162,371 -838 $21,762
     HSY162,371-838$21,762
ISHARES (SCZ) 378,253 +6,108 $21,711
     SCZ378,253+6,108$21,711
ISHARES (IWM) 136,037 -13,118 $21,154
     IWM136,037-13,118$21,154
BB&T CORP 393,933 +9,338 $19,354
     BBT393,933+9,338$19,354
CORNING INC 570,497 +2,243 $18,958
     GLW570,497+2,243$18,958
TJX COS INC 350,749 -3,405 $18,547
     TJX350,749-3,405$18,547
SYSCO CORP 261,263 -679 $18,476
     SYY261,263-679$18,476
PRUDENTIAL FINL INC 178,912 +1,417 $18,071
     PRU178,912+1,417$18,071
NIKE INC 209,724 -1,806 $17,605
     NKE209,724-1,806$17,605
UNITED PARCEL SVC INC 167,326 +5,512 $17,280
     UPS167,326+5,512$17,280
AMGEN INC 93,003 +727 $17,139
     AMGN93,003+727$17,139
UNITED TECHNOLOGIES CORP 131,187 -1,773 $17,080
     UTX131,187-1,773$17,080
STRYKER CORP 82,586 +1,100 $16,978
     SYK82,586+1,100$16,978
3M CO 97,906 -2,831 $16,971
     MMM97,906-2,831$16,971
VANGUARD (VWO) 396,244 -31,214 $16,852
     VWO396,244-31,214$16,852
PROCTER & GAMBLE CO THE 151,998 -1,349 $16,666
     PG151,998-1,349$16,666
MERCK & CO INC NEW 191,241 +2,900 $16,035
     MRK191,241+2,900$16,035
INVESCO 83,784 -808 $15,646
     QQQ83,784-808$15,646
TELEFLEX INC 42,352 -68 $14,025
     TFX42,352-68$14,025
CME GROUP INC 71,930 +53 $13,962
     CME71,930+53$13,962
DARDEN RESTAURANTS INC COM 113,967 -72 $13,874
     DRI113,967-72$13,874
AFLAC INC 252,064 +1,478 $13,816
     AFL252,064+1,478$13,816
ISHARES (IVV) 46,262 -178 $13,635
     IVV46,262-178$13,635
WELLS FARGO & CO NEW      $13,588
     WFC280,053+678$13,252
     WFC.PRT13,150UNCH$336
MASIMO CORP 87,970 -1,661 $13,092
     MASI87,970-1,661$13,092
ISHARES (IJR) 165,187 -12,502 $12,931
     IJR165,187-12,502$12,931
JOHNSON CONTROLS INTL PLC 298,599 +2,774 $12,336
     JCI298,599+2,774$12,336
UNILEVER PLC SPONSORED ADR NEW 194,238 -2,745 $12,037
     UL194,238-2,745$12,037
EOG RESOURCES INC 127,835 +705 $11,910
     EOG127,835+705$11,910
ANALOG DEVICES 105,160 -1,375 $11,870
     ADI105,160-1,375$11,870
MCDONALDS CORP 57,135 -606 $11,864
     MCD57,135-606$11,864
INTUIT INC 44,795 -1,316 $11,706
     INTU44,795-1,316$11,706

See Full List: All Stocks Held By BRYN MAWR TRUST Co
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By BRYN MAWR TRUST Co

Size ($ in 1000's)
At 06/30/2019: $1,848,055
At 03/31/2019: $1,836,290

BRYN MAWR TRUST Co holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRYN MAWR TRUST Co 13F filings. Link to 13F filings: SEC filings

BRYN MAWR TRUST Co Top Holdings 13F Filings | www.HoldingsChannel.com

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